ORD 2011-24 AMENDING THE 2011 BUDGET FOR USES NOT FORESEENORDINANCE N0.2011-24
AN ORDINANCE of the City of Bainbridge Island, Washington
amending the 201 1. Budget of the City and providing for uses not
foreseen at the time the 2011 budget was adopted.
WHEREAS, on November 17, 2010, the City Council adopted the budget for 2011 by
Ordinance No. 2010-41; and
WHEREAS, a number of situations have occurred during 2011 which required the City
to expend money on items, projects and categories not included in the 2011 Budget; now,
therefore,
THE CITY COUNCIL OF THE CITY OF BAINBRIDGE ISLAND,
WASHINGTON, DOES ORDAIN AS FOLLOWS:
Section 1. Ordinance No. 2010-41 and the 2011 Budget are each amended as shown on
the attached Exhibit A.
.Section 2. The City's Finance Director is authorized and directed by this ordinance to
make the necessary changes to the 2011 Budget. The Finance Director is further directed
to make sufficient interfund equity transfers from the appropriate funds to cover the
added amounts authorized by this ordinance.
Section 3. The Finance Director is authorized and directed to properly account .for the
Building and Development Services activities of the City and to transfer such
expenditures as are appropriate under Generally Accepted Accounting Principles from
the General Fund to the Building and Development Services Fund provided that such
transfers do not authorize an increase in expenditures.
Section 4. This ordinance shall take effect. and be in force five days from and after its
passage, approval and publication as required by law.
PASSED by the City Council this 14~~' day of December, 2011.
APPROVED by the Mayor this 14'j' day of December, 2011.
Kirsten -lytopoulos, Mayor
ATTEST /AUTHENTICATE:
rte Q d ~~~
Rosalind D. Lassoff, City lerlc
FILED WITH `THE CITY CLERK: December 2, 2011
PASSED BY THE CITY COUNCIL: December 14, 2011
PUBLISHED.: December 16, 2011
EFFEC'1'1VE DA"1'E: December 21, 2011
ORDINANCE NO: 2011-24
FUNpIDepa'~ment
GET pMENDNIENTS 2011
ber 7 , REET (Finance
X11 BUDGity Council DeGem pESCR~pT10N
REET fund to
December 14, 201
5ented to from the This item
droved on a ropriation in 2p11.
JECT increases T avenue reCe-ved ecutive
SUB This item all REE GeneraUEx
GUMBO R REET allo s not ncrease Gity expenditures' neral Fund to suppo bine
UA doe 400 of Ge ding Will com
ropriates ~1 'of 2011. This f 6 X00
This item app at the end a total of ~ d GeneraltExecutNe
BIDA BIDA act-vities to result in ublic art subfun
gUA 41 With others°urGes in p EA.
e of Gash balance from BIAHCIN
authorizes us reimbursement
This item R pending
BIAI-IG for BIAHC'WW
BUp, 42
SourcelNotes
AMOUNT riation increase in
291,108 REET fund.
1,400 Appropriation increase
8,000 Appropriation increase